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COMMITMENTS AND CONTINGENT LIABILITIES (Tables)
12 Months Ended
Dec. 31, 2011
Commitments and Contingencies Disclosure [Abstract]  
Environmental Loss Contingency Disclosure [Text Block]
Accrued Obligations for Environmental Matters
In millions
2011

2010

Balance at January 1
$
607

$
619

Additional accruals
286

159

Charges against reserve
(149
)
(171
)
Foreign currency impact
(11
)

Balance at December 31
$
733

$
607

Receivables for Asbestos-Related Costs
Receivables for Asbestos-Related Costs at December 31
In millions
2011

 
2010

Receivables for defense costs – carriers with settlement agreements
$
20

 
$
12

Receivables for resolution costs – carriers with settlement agreements
158

 
236

Receivables for insurance recoveries – carriers without settlement agreements
40

 
50

Total
$
218

 
$
298

Unrecorded Unconditional Purchase Obligations Disclosure [Table Text Block]
Fixed and Determinable Portion of Take-or-Pay and
Throughput Obligations at December 31, 2011
In millions
2012
$
2,968

2013
2,964

2014
2,371

2015
1,693

2016
1,426

2017 and beyond
9,074

Total
$
20,496

Schedule of Guarantor Obligations [Table Text Block]

Guarantees at December 31, 2011
In millions
Final
Expiration
 
Maximum Future
Payments (1)

 
Recorded  
Liability  

Guarantees
2020
 
$
587

 
$
21

Residual value guarantees (2)
2021
 
526

 
24

Total guarantees
 
 
$
1,113

 
$
45

(1)
The Company was indemnified by a third party for $50 million if required to perform under a $100 million guarantee.
(2)
Does not include the residual value guarantee related to the Company's variable interest in an owner trust that was consolidated in the first quarter of 2010 with the adoption of ASU 2009-17; see Notes B and S.

Guarantees at December 31, 2010
In millions
Final
Expiration
 
Maximum Future
Payments (1)

 
Recorded  
Liability  

Guarantees
2020
 
$
445

 
$
80

Residual value guarantees (2)
2020
 
391

 
17

Total guarantees
 
 
$
836

 
$
97

(1)
The Company was indemnified by a third party for $53 million if required to perform under a $106 million guarantee.
(2)
Does not include the residual value guarantee related to the Company's variable interest in an owner trust that was consolidated in the first quarter of 2010 with the adoption of ASU 2009-17; see Notes B and S.
Schedule of Product Warranty Liability [Table Text Block]
Warranty Accrual
In millions
2011

2010

Balance at January 1
$
16

$
27

Accruals related to existing warranties (1)
60


Settlements made during the year
(14
)
(11
)
Balance at December 31
$
62

$
16

(1)
The Company recorded a $60 million charge in the fourth quarter of 2011 related to an exited business, included in "Cost of sales" in the consolidated statements of income and reflected in Coatings and Infrastructure Solutions.
Schedule of Change in Asset Retirement Obligation [Table Text Block]
Asset Retirement Obligations
In millions
 
2011

 
2010

Balance at January 1
 
$
99

 
$
101

Additional accruals
 
4

 
6

Liabilities settled
 
(15
)
 
(10
)
Accretion expense
 
1

 
1

Revisions in estimated cash flows
 

 
1

Other
 
(1
)
 

Balance at December 31
 
$
88

 
$
99